Advisory - Financial Services Risk Management - Manager/Senior Manager
- Recruiter
- Ernst & Young Hong Kong
- Location
- Hong Kong
- Salary
- To be discussed
- Posted
- 18 May 2017
- Closes
- 25 May 2017
- Ref
- 1875703
- Sector
- IT/Telecoms
- Contract type
- Permanent
- Hours
- Full time
- Experience level
- Manager
Across the banking and capital markets, insurance, asset management, energy and corporate treasury sectors, our clients require integrated risk management and regulatory advice. You'll help them by providing strategy and implementation support. You'll work in high-performing teams alongside risk management professionals, quantitative analysts, risk technology architects, control professionals and former regulators. Together, you'll help clients better assess and improve their risk and regulatory frameworks.
Your career is yours to shape. But we'll provide a structured framework that allows you to grow. And with a network stretching around the globe, you'll gain valuable insight across industries and geographies. So whenever you join, however long you stay, the exceptional EY experience lasts a lifetime.
Your career is yours to shape. But we'll provide a structured framework that allows you to grow. And with a network stretching around the globe, you'll gain valuable insight across industries and geographies. So whenever you join, however long you stay, the exceptional EY experience lasts a lifetime.
Key Responsibilities:
- Manage the team on execution of project engagements, in particular market risk and valuation engagements
- Maintain internal and external client relationships
- Play a key role in ensuring the quality of services
- Oversee junior quantitative resources in carrying out valuation engagements and related client inquiries
- Build strong internal relationships within the EY Greater China advisory and assurance service
- Maintain up-to-date knowledge of valuation methodologies, market risk management practices and related accounting standard, both locally and internationally
Qualifications, Education and Certification:
- Bachelor degree or advanced degree in Finance, Risk Management, Accounting/ Financial Engineering/ Financial Mathematics or any other related fields
- CPA/ FRM/ CFA designation preferred
- Have strong knowledge and understanding on product features of structural products, convertible bonds and other financial instrument valuations
- Strong interpersonal skills and ability to work under great pressure
- Fluent in English, with mandarin desirable (not essential)
- Knowledge on Basel market risk capital charge is a plus
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